Also shows 1266 hits in documents
- New benchmark indices for the fund’s investments.pdf
-
Financial Reporting Council consultation on the UK Stewardship Code
Letter to the UK Financial Reporting Council, 12 February 2025.
-
Feedback on PRI Signatory Consultation: Incorporating TCFD Recommendations into the PRI Reporting Framework
Letter sent to PRI, 15 September 2017
-
IT careers at Norges Bank Investment Management
Interested in a career in IT at the world’s largest investment fund, working globally on automation, agile methodology, security, cloud technology and AI? Then this is the place for you.
-
Consultation on the ICGN Global Governance Principles
Letter to the International Corporate Governance Network, 29 January 2021.
-
Consultation on the Combined Code
Letter to Financial Reporting Council, London
- Japan Financial Services Agency Public consultation.pdf
- Comment on Reforming Regulation S-K.pdf
- Revision of the G20 OECD Principles of Corporate Governance.pdf
-
B3 Second Consultation regarding the Novo Mercado evolution
Letter to Brazil Bolsa Balcao, 11 November 2024.
- alstom2014eng.pdf
-
Decision to place company in the portfolio of the Government Pension Fund Global under observation
Norges Bank has decided to place Astra International Tbk PT under observation because of the risk of severe environmental damage.
-
1Q Quarterly report 2002
The return on the Government Petroleum Fund in the first quarter of 2002 was 0.59 per cent measured by the currency basket that corresponds to the composition of the Fund’s benchmark portfolio. Measured in NOK, the return in the first quarter was -
-
Global financial turmoil and weak equity market
The first quarter of 2008 was dominated by the financial turmoil that began with problems in the US mortgage market in early 2007 and subsequently developed into a wider crisis in parts of the financial system. Equity markets fell sharply during the
-
1Q 2008 Quarterly report
The first quarter of 2008 was dominated by the financial turmoil that began with problems in the US mortgage market in early 2007 and subsequently developed into a wider crisis in parts of the financial system. Equity markets fell sharply during the